1. Core Functionality ✅ Buys after a 5% drop from the highest price ✅ Sells when the price increases by 22% (Take Profit Multiplier: 1.22x) SOXL ✅ Forced sell after 230 days if the trade remains unprofitable, but waits for a -15% recovery before exiting ✅ Leverage and capital allocation can be adjusted ✅ Provides a performance table for monthly and yearly returns, including CAGR and Max Drawdown (MDD)
2. Key Features 1️⃣ Trading Period Restriction
The script allows trading only within a specific time range (e.g., from 2015 to 2026). 2️⃣ Buy Signal Based on Price Drop
It tracks the highest price recorded and checks if the current price has dropped by a user-defined percentage (-5%) to trigger a buy order. 3️⃣ Take Profit & Forced Sell Conditions
If the price reaches 1.22x of the entry price, the position is closed. If the position remains open for 230 days and is still at a loss, it waits for a recovery of -15% from the entry price before selling. 4️⃣ Leverage & Position Sizing
Users can configure leverage and capital allocation percentage for each trade. 5️⃣ Performance Analysis Table
The strategy logs monthly and yearly profit/loss, calculates CAGR (Compound Annual Growth Rate), and tracks Max Drawdown (MDD) to assess risk and profitability. 3. Strategy Implementation Buy Signal: Activated when the price drops 5% from the highest recorded price. Sell Signal: Triggered when the price reaches 1.22x the entry price or recovers from a -15% drawdown after 230 days. Performance Analysis: Generates a monthly and yearly P&L table to help users track strategy effectiveness.
1. Core Functionality ✅ Buys after a 5% drop from the highest price ✅ Sells when the price increases by 22% (Take Profit Multiplier: 1.22x) ✅ Forced sell after 230 days if the trade remains unprofitable, but waits for a -15% recovery before exiting ✅ Leverage and capital allocation can be adjusted ✅ Provides a performance table for monthly and yearly returns, including CAGR and Max Drawdown (MDD)
2. Key Features 1️⃣ Trading Period Restriction
The script allows trading only within a specific time range (e.g., from 2015 to 2026). 2️⃣ Buy Signal Based on Price Drop
It tracks the highest price recorded and checks if the current price has dropped by a user-defined percentage (-5%) to trigger a buy order. 3️⃣ Take Profit & Forced Sell Conditions
If the price reaches 1.22x of the entry price, the position is closed. If the position remains open for 230 days and is still at a loss, it waits for a recovery of -15% from the entry price before selling. 4️⃣ Leverage & Position Sizing
Users can configure leverage and capital allocation percentage for each trade. 5️⃣ Performance Analysis Table
The strategy logs monthly and yearly profit/loss, calculates CAGR (Compound Annual Growth Rate), and tracks Max Drawdown (MDD) to assess risk and profitability. 3. Strategy Implementation Buy Signal: Activated when the price drops 5% from the highest recorded price. Sell Signal: Triggered when the price reaches 1.22x the entry price or recovers from a -15% drawdown after 230 days. Performance Analysis: Generates a monthly and yearly P&L table to help users track strategy effectiveness. This strategy is designed for medium-to-long-term trading, managing risks through controlled stop-loss conditions while maximizing profit potential. 🚀